Number of Shares
-
Current Holdings Value*
N/A
% of Portfolio
0%
Total Estimate Gain
€-9,770.76
% of Total Estimate Gain
-2.72%

AB Global Risk Allocation-Moderate Portfolio's STMicroelectronics NV Holding Summary

As of 2025-03-31, AB VARIABLE PRODUCTS SERIES FUND, INC. held - shares of STMicroelectronics NV(XPAR:STMPA), totaling N/A. This investment constitutes 0% of their stock portfolio, and AB VARIABLE PRODUCTS SERIES FUND, INC. now holds 0% of the outstanding STMicroelectronics NV(XPAR:STMPA) stock.

The initial trade took place in 2022Q2. And since then AB Global Risk Allocation-Moderate Portfolio has made 2 purchases of XPAR:STMPA, at an average price of €31.05, for a total of 11,589.00 shares. In addition, there have been 2 sales at an average price of €30.21 for 11,589.00 shares. Based on historical transaction data and XPAR:STMPA's current price of €26.88, AB Global Risk Allocation-Moderate Portfolio's estimated gain on his XPAR:STMPA holdings is €-9,770.76, reflecting a -2.72% gain to date.

AB Global Risk Allocation-Moderate Portfolio XPAR:STMPA (€26.88) Holding Chart

AB Global Risk Allocation-Moderate Portfolio XPAR:STMPA (€26.88) Quarterly Buys and Sells

Period Bought/Sold (Sh.) % Change Qtr. End Shares Avrg. Price
Shares Bought 0 Average Price €-/Share
Shares Sold 0 Average Price €-/Share
Current Price €0.00 Total Estimated Gain 0 %

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